Key Skills -
- Banking
- Finance
- Budgeting
- MIS
- Consolidation
- Taxation (Direct & Indirect)
- GST implementation
Job Description -
1. Controlling of Accounting Functions
- A/R-Monitoring the Monthly Invoices submitted to customers based on Commercial Agreements.
- Ensure Properly discounts Credited in Customer`s A/c
- Scrutiny of Debtors a/c & Reconciliation.
- Debit & Credit Notes issued as per agreements.
- A/P- Controlling on Advance Payment & Bill Booked in A/cs.
- All GL Scrutiny & up to date with accurate reconciliations.
- Maintenance of books of accounts as per relevant standards & rules.
- Manage the Operations of accounting department with other departments.
- Preparation of MIS as per decision making & business needs.
- Preparation of Budgets & Variance Analysis.
- Reporting of the finding to the management.
- Presentation of Financial Statements as per Companies Act.
2. Closing of Monthly & Yearly Books of Accounts
- Scrutiny of Monthly Trial Balance& Preparation of Cash Flow Statement with Profit & Loss a/c including all provisions.
- Supervision & Scrutiny of Statutory liabilities i.e. Excise/Service Tax, Vat, TDS, ESIC /PF.
- Capitalization of Fixed Asset & Depreciation thereon.
- Scrutiny of Creditors & Debtors a/c.
- Scrutiny of Overheads A/cs.
- Inventory Valuation & Reconciliation of All Modules.
- Finalization of Profit & Loss A/c with Balance Sheet Quarterly/Annually.
3. Costing
- Preparation of Cost Sheet for different products.
- Decision making on the basis of contribution
- Revised Pricing for existing Products
- New Pricing for New Products
- Cost Reduction & Cost Control measures
- Take further step to reduce in Cost.
- Depth analysis of Material, Labour & Overheads
- Apportionment of Cost on the basis of proper justification
4. Statutory Compliances-Income Tax/Vat/Service Tax/Banks & others
- Involved of Issues of Excise /Sale Tax/Service Tax/TDS / ESIC/PF Returns & show cause notices.
- Involved in Audit of Excise/Service tax/Vat.
- Involved in Finalization of Sale Tax Assessment Cases.
- Scrutiny Cases of Income Tax, Reply of Show Cause Notices.
- Ensure the TDS of Employees Salary, Contractor's Payment, Professional, Rent etc.
- Co-ordination with Statutory & Internal Auditors in the areas of Receivables, Payables, Inventory & Direct & Indirect Taxes
- Transfer Pricing Audit, Tax Audit Report, Income Tax E Compliances.
5. Direct Tax & Indirect Taxes Matters
- Responsible for Tax Audits / 92 E / Transfer pricing / Tax Return - Yearly.
- Calculating advance tax, Computing taxable income & tax liability, directing to pay Advance tax
- Drafting the Submission and replies to various notices relating to Income Tax assessment(including TDS and TP Assessment), Appeals and Penalty proceeding issued by Income Tax Authority
- Coordination with Consultant on finalization of Transfer Pricing Study Report and Tax Audit Report.
- Liaison with Statutory and Tax Auditors, Consultants and Senior Counsels on various Direct Tax matters.
- To keep track on all updation in tax related case laws/notification/surplus circulated in ITR and other Tax Journals/Tax websites and share the same with other counterparts/officials of the company.
- Drafting the Submission and replies to various notices relating to Excise & Service Tax Departments, Appeals and Penalty proceeding issued by Authority.
6. Banking- Documentation & Bank Compliance
- Fund Arrangement -Working Capital & Term Loans including both fund-based and
- Familiarity with Banking Norms for fund raising & Formalities related credit facilities.
- CMA Data Preparation for Proposals.
- Fund Flow Management on Daily Basis.
- Banking Liasioning with all the Consortium Banks.
- Presentation of Quarterly Consortium Meetings.
- Reduction of Processing & Other Charges.
- Joint Documentation for Consortium
- Due Diligence Report
- Finalization of Financial Modeling for Road Projects
- Equity IRR & Project IRR for Hybrid Projects.
- Projected Cash Flows & Profit & Loss a/c & Balance Sheet.
- Open/Amended/Acceptance of Letter of Credit.
- Open of Bank Guarantees/Reduction/Extensions.
- Forward Booking/Cancellation/Delivery.
- Open FD/Renew/Margin Release.
- Get External Credit Rating from ICRA/CRISIL.
- Charge Create/Modified/Satisfy of Securities.
- Stock Statement/Physical Progress Report.
- Ensure timely submission of compliances.
- Compliance with WC Covenants Including CMA etc.
- FEMA/RBI/NBFC Guidelines.
- Responsible Matters Relating to FEMA.
- Dealing with Banks for operations.
- Preparation of Weekly/monthly Cash flows.
- Dealing with banks for LC opening, Domestic and foreign bills Discounting, LC open, availing Packing Credit, and Buyer Credit etc.
- Obtaining various certificates, remittance inward and outward
- Advises from bank and verification of same.
- Verification of interest charged by banks under various facilities.
- Preparation of CMA data for banks, Cash Flow, Fund Flow, Ratio Analysis.
- Exposure on Working Capital & Term Loans proposals.
- Discussion and providing Justifications and coordination with Banks for various Loan proposals.
- Arranging Payment of LC/BC/PCFC & Raw Material & Other Expenses.
- Discussion and providing Justifications and coordination with Banks for various Loan proposals.
- Planning, Analyzing of FOREX Booking and availing Forex hedging.
- Analytical and interpretation skill of various financial reports.
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